Bond Calculations
July 09 2010 - 9:38AM
UK Regulatory
TIDM37QC
RNS Number : 1402P
Meadowhall Finance PLC
09 July 2010
Letter to: Capital Trust Company Limited
Meadowhall Finance PLC GBP1,015,000,000 Bonds
+----------+----------------------+----------------------+
| Class | Common Code | ISIN |
+----------+----------------------+----------------------+
| A1 | 027832547 | XS0278325476 |
+----------+----------------------+----------------------+
| A2 | 027832741 | XS0278327415 |
+----------+----------------------+----------------------+
| B | 027832644 | XS0278326441 |
+----------+----------------------+----------------------+
| M1 | 027832849 | XS0278328496 |
+----------+----------------------+----------------------+
| C1 | 027832989 | XS0278329890 |
+----------+----------------------+----------------------+
Pursuant to Clause 13 of the Cash Management Agreement, we hereby give you
notice of the calculations set out in the schedule to this letter with respect
to payments due under the Bonds on 12 July 2010.
SCHEDULE
+--------------+--------------+-------------+------------+------------+------------+
| | Bond | Principal | Principal | Interest | Step-up |
| | Amortisation | Amount | Residual | Residual | Residual |
| | Amount in | Outstanding | Amount | Amount | Amount |
| | respect of | in respect | applicable | applicable | applicable |
| | each Class | of each | to | to | to |
| | of Bonds | Bond | relevant | relevant | relevant |
| | (GBP) | (GBP) | Class of | Class of | Class of |
| | | | Bonds | Bonds | Bonds |
| | | | (GBP) | (GBP) | (GBP) |
+--------------+--------------+-------------+------------+------------+------------+
| Class A1 | 340.90 | 49,318.20 | N/A | N/A | N/A |
| Primary | | | | | |
| Global Bond | | | | | |
+--------------+--------------+-------------+------------+------------+------------+
| Class A2 | 0.00 | 50,000.00 | N/A | N/A | N/A |
| Primary | | | | | |
| Global Bond | | | | | |
+--------------+--------------+-------------+------------+------------+------------+
| Class B | 341.20 | 47,095.90 | N/A | N/A | N/A |
| Primary | | | | | |
| Global Bond | | | | | |
+--------------+--------------+-------------+------------+------------+------------+
| Class M1 | 0.00 | 50,000.00 | N/A | N/A | N/A |
| Reserve | | | | | |
| Global Bond | | | | | |
+--------------+--------------+-------------+------------+------------+------------+
| Class C1 | 0.00 | 50,000.00 | N/A | N/A | N/A |
| Reserve | | | | | |
| Global Bond | | | | | |
+--------------+--------------+-------------+------------+------------+------------+
This information is provided by RNS
The company news service from the London Stock Exchange
END
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